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Intern > Continuing Problem P7-36 Preparing a bank reconciliation and journal entries This problem continues the Canyon Canoe Company situation from Chapter 6. Canyon Canoe
Intern > Continuing Problem P7-36 Preparing a bank reconciliation and journal entries This problem continues the Canyon Canoe Company situation from Chapter 6. Canyon Canoe Company has decided to open a new checking account at River Nations Bank during March 2019. Canyon Canoe Company's March Cash T account for the new cash account from its general ledger is as follows: Copyright Cash -River Nations Bank Checking Account Mar. 1 Balance 0 ck#101 Ck#102 ck#103 27 Deposit 4,500 | 1,675 , 14 Ck#104 3,490| 1,500 21 Ck# 105 200 2 Deposit 10,000 13 Deposit 2,325 4,300 20 Deposit Mar. 2 4 9 2,750 750 175 28 ck#106 300 30 Ck#107 Balance 14,165 2019, follows: Canyon Canoe Company'k bank statement dated Marck 22019, followw
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